Citation Impact

Citing Papers

An Examination of Technical, Pure Technical, and Scale Efficiencies in Indian Public Sector Banks using Data Envelopment Analysis
2008 Standout
Determinants of Bank Profitability in Ukraine
2011 Standout
The time-varying effects of oil prices on oil–gas stock returns of the fragile five countries
2021
Economic effects of the COVID-19 pandemic on entrepreneurship and small businesses
2021 Standout
Financial deregulation and efficiency: An empirical analysis of Indian banks during the post reform period
2005 Standout
Efficiency of Indian commercial banks during the reform period
2004 Standout
On the Determinants of Corporate Usage of Financial Derivatives
1998
An assessment of alternative social banking systems using T-Spherical fuzzy TOP-DEMATEL approach
2023 Standout
Estimation and inference in two-stage, semi-parametric models of production processes
2005 Standout
The Real Effects of Disrupted Credit: Evidence from the Global Financial Crisis
2018 StandoutNobel
Understanding earnings quality: A review of the proxies, their determinants and their consequences
2010 Standout
THE DETERMINANTS OF SELECTIVE EXCHANGE RISK MANAGEMENT–EVIDENCE FROM GERMAN NON‐FINANCIAL CORPORATIONS
2002 Standout
The impact of enterprise risk management on competitive advantage by moderating role of information technology
2018 Standout
Efficiency of the Polish banking industry: Foreign versus domestic banks
2005 Standout
Why do institutions like corporate social responsibility investments? evidence from horizon heterogeneity
2019
A more complete conceptual framework for SME finance
2006 Standout
Liquidity and Asset Prices
2005
Competition and Concentration in the New European Banking Landscape
2006 Standout
The impact of bank ownership concentration on impaired loans and capital adequacy
2009
The evidence on efficiency gains: The role of mergers and the benefits to the public
1999
ESG disclosure and financial performance: Moderating role of ESG investors
2022 Standout
Corporate transformation toward Industry 4.0 and financial performance: The influence of environmental, social, and governance (ESG)
2021 Standout
Short-Run Cost Inefficiency of Commercial Banks: A Flexible Stochastic Frontier Approach
1994
Market technologies and the pragmatics of prices
2007 Standout
Busy directors and firm performance: Evidence from mergers
2018
Computing DEA/AR efficiency and profit ratio measures with an illustrative bank application
1996
Efficiency of Banks in Croatia: A DEA Approach
2002
Firms and social responsibility: A review of ESG and CSR research in corporate finance
2021 Standout
Asset pricing with liquidity risk
2005 Standout
Enterprise risk management and firm value within China’s insurance industry
2014
Bank x-efficiency in Ukraine: An analysis of service characteristics and ownership
2007
Inside the black box: What explains differences in the efficiencies of financial institutions?
1997 Standout
Study on the Relationship between CSR and Financial Performance
2019 Standout
Bank regulation and supervision: what works best?
2003 Standout
On the notion of regional economic resilience: conceptualization and explanation
2014 Standout
The Efficiency of Non-Bank Financial Intermediaries: Empirical Evidence from Malaysia
2008
ESG performance and firm value: The moderating role of disclosure
2017
X-efficiency in Australian banking: An empirical investigation
2001
Economic Cost, Scale Efficiency, and Competitive Viability in Banking
1996
Systemic credit freezes in financial lending networks
2020 StandoutNobel
Competition and financial stability in European cooperative banks
2014 Standout
Organizational Form and Efficiency: An Analysis of Stock and Mutual Property-Liability Insurers
1997
Efficiency Performance in Indian Banking—Use of Data Envelopment Analysis
2006 Standout
A slacks-based measure of efficiency in data envelopment analysis
2001 Standout
Competition and efficiency in the Dutch life insurance industry
2008 Standout
A closing call's impact on market quality at Euronext Paris
2003
Corporate social responsibility, firm value, and influential institutional ownership
2018
Analysis of the financial parameters of Serbian banks through the application of the fuzzy AHP and TOPSIS methods
2014 Standout
Bank Market Power and SME Financing Constraints
2006
The analysis of bank business performance and market risk—Applying Fuzzy DEA
2013
DISTANCE, BANK HETEROGENEITY AND ENTRY IN LOCAL BANKING MARKETS*
2008
Innovation and Productivity in SMEs - Empirical Evidence for Italy
2009 Standout
An examination of cost structure and production performance of commercial banks in Singapore
2002
Varying interest rate sensitivity of different property sectors: cross-country evidence from REITs
2021
Economies of diversification in the banking industry
1993
The expansion of services in European banking: Implications for loan pricing and interest margins
2008 Standout
Comparative credit risk in Islamic and conventional bank
2015 Standout
DEA/AR efficiency and profitability of Mexican banks a total income model
1997
Discrimination in lending? Evidence from the Paycheck Protection Program
2021
Adverse Selection and Re-Trade
2002
Small Businesses and Small Business Finance During the Financial Crisis and the Great Recession: New Evidence from the Survey of Consumer Finances
2015
Environmental, Social and Governance (ESG) disclosure, competitive advantage and performance of firms in Malaysia
2021 Standout
Institutional investor horizon and bank risk-taking
2020
Securitisation and Financial Stability
2009 Standout
Does the Stock Market Value Bank Diversification?
2006
Small European banks: Benefits from diversification?
2007
Adverse Selection and the Required Return
2003
Trading Partners in the Interbank Lending Market
2013
Efficiency analysis in banking firms: An international comparison
1997
Efficiency of banks in a developing economy: The case of India
2003 Standout
European banking: An overview
2007
Small Businesses and Small Business Finance During the Financial Crisis and the Great Recession: New Evidence from the Survey of Consumer Finances
2015
Multi-Country Study of Bank Credit Risk Determinants
2008
A slacks-based measure of super-efficiency in data envelopment analysis
2002 Standout
Inventive problem-solving map of innovative carbon emission strategies for solar energy-based transportation investment projects
2022 Standout
What are Borders Made of? An Analysis of Barriers to European Banking Integration
2008 Standout
Evaluation of technical efficiency and ranking of public sector banks in India
2008 Standout
The Influence of Firm Size on the ESG Score: Corporate Sustainability Ratings Under Review
2019 Standout
The Changing Geography of Banking and Finance
2009
Technical, scale and allocative efficiencies of Turkish banking industry
2002
DEA/AR profit ratios and sensitivity of 100 large U.S. banks
1997
Macroeconomic and bank-specific determinants of non-performing loans in Greece: A comparative study of mortgage, business and consumer loan portfolios
2011 Standout
Output and Productivity in Banking
1992
Efficiency of financial institutions: International survey and directions for future research
1997 Standout

Works of Elyas Elyasiani being referenced

Bank holding company performance, risk, and “busy” board of directors
2015
Geographic Diversification and BHC Return and Risk Performance
2005
An empirical test of association between production and financial performance: the case of the commercial banking industry
1994
Institutional Ownership Stability and Risk Taking: Evidence From the Life–Health Insurance Industry
2011
A nonparametric approach to measurement of efficiency and technological change: The case of large U.S. commercial banks
1990
Efficiency in the commercial banking industry, a production frontier approach
1990
Market Response to Liquidity Improvements: Evidence from Exchange Listings
2000
The sensitivity of bank stock returns to market, interest and exchange rate risks
1992
Sectoral stock return sensitivity to oil price changes: a double-threshold FIGARCH model
2012
Productive efficiency performance of minority and nonminority-owned banks: A nonparametric approach
1992
Institutional ownership stability and the cost of debt
2010
Sensitivity of the bank stock returns distribution to changes in the level and volatility of interest rate: A GARCH-M model
1998
Relationship lending: a survey of the literature
2004
Economics of scale and scope in small depository institutions: Evidence from U.S. cooperative banks
1996
Institutional ownership stability and BHC performance
2007
A comparative multiproduct cost study of foreign-owned and domestic-owned US banks
2002
Distribution of institutional ownership and corporate firm performance
2009
Rankless by CCL
2026